Specialist - Investor Relations, Treasury and Risk Management
AdministrationDescription
See if you are our next: SPECIALIST - INVESTOR RELATIONS, TREASURY AND RISK
Working for Vision Group means evolving within one of the most important vision correction providers in North America. This position will allow you to make a significant contribution to the company's development, which oversees more than 11 brands and 60 clinics across Canada and the United States.
You will have the wind in your sails to accomplish your tasks as a team in a relaxed environment while enjoying a flexible work arrangement tailored to each employee.
Join our team and see why our Great Place to Work certification reflects our commitment to creating a culture of support and inclusion for every member of our company.
A look at your benefits
- A permanent, full-time position
- Flexible hours, as we recognize the importance of balancing work and personal life
- 3 weeks of vacation, 4 personal days for unforeseen events, 3 additional days during the Holiday season, and every Friday afternoon off paid in July and August
- Eligibility for a group insurance plan that includes telemedicine and an Employee Assistance Program (EAP)
- A group RRSP with employer contribution and a short-term incentive program
- Free refractive surgery
- The pride of working for one of Canada's Best Managed Companies
- Your tasks at a glance
Investor Relations & Stakeholder Communications
- You coordinate communications with physician partners and minority shareholders.
- You prepare presentations, communication materials, meeting packages, and supporting documentation for investor-related activities.
- You coordinate investor meetings, including scheduling, agenda preparation, meeting minutes, and follow-up actions.
- You maintain investor records, databases, and supporting documentation.
- You assist with information requests and follow-up activities involving internal and external stakeholders.
- You contribute to the continuous improvement of investor communication processes and documentation.
Treasury Management
- You assist with daily and weekly cash flow forecasting.
- You support credit facility compliance reporting and banking documentation requirements.
- You maintain treasury records and supporting documentation.
Insurance & Risk Management
- You coordinate annual insurance renewal activities and claims tracking.
- You gather information from stakeholders to support insurance requirements.
Project Management & Cross-Functional Support
- You support the intake and tracking of finance projects and initiatives, including timelines, deliverables, and risks.
- You coordinate meetings and follow-up activities across Finance and business teams.
- You act as a liaison between Finance and other departments on relevant initiatives.
A clear view of your assets
- You hold a Bachelor's degree in Finance, Accounting, Business Administration, Economics, or a related field.
- You have 3–5 years of experience in finance, treasury, investor relations, audit, or a related discipline.
- You have strong organizational, analytical, and problem-solving skills.
- You have experience with financial modeling.
- You have excellent written and verbal communication skills, with the ability to prepare professional presentations, reports, and executive-level communications.
- You have advanced Excel and PowerPoint skills.
- You have strong attention to detail and the ability to work independently.
- You can manage multiple priorities while delivering high-quality work.
- You have a collaborative, team-oriented approach.
- From our point of view
If you believe you are the right candidate for this position and are eager to join a passionate, dedicated team, we encourage you to apply today.
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